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Idioma I: Inglés I, tercer idioma (B2.2/C1.1)
(07/07/2016)
Análisis Financiero
(08/07/2016)
Metodología para la creación de carteras de renta variable. IBEX-35, EURO STOXX-50 Y S&P-500
(2016)
Este trabajo tiene como objetivo explicar detalladamente una metodología propia para la creación de carteras de renta variable y analizar si podemos batir o no al índice IBEX-35, EURO STOXX-50 y S&P-500. Asimismo, revisaremos ...
Equity portfolio management : a practical approach
(2016)
In this paper I will explain some of the pricing models of capital assets which try to explain financial assets behaviour, the more relevant ones, studied previously in “valuation of financial instruments”. These are: ...
Global Financial Crisis : 2008-2012
(2016)
This
paper
analyses
the
consequences
of
the
outbreak
of
the
Global
Financial
Crisis
of
2008,
since
its
inception,
due
to
subprime
mortgages
until
2012,
interval
in
which
it
did
not
stop
eme ...
The importance of covered bonds in financial crisis
(2016)
Having in consideration the current financial Outlook, this project pretends to display the role of Covered Bonds as an alternative to securitization. Firstly, I’ll address the Mortgage market, namely the European Covered ...
Dirección de marketing
(07/09/2016)
Teoría Política Contemporánea
(08/09/2016)